NAV12/11/2024 Chg.-1.7700 Type de rendement Focus sur l'investissement Société de fonds
206.5700EUR -0.85% paying dividend Mixed Fund LRI Invest 
     
Chart for VV-Strategie - Dynamik ESG T6
  Nom   ISIN Performance Volatilité Ratio de Sharpe
1. UNIQA World Selection A AT0000743281 +28.17% 7.52% 3.34
2. Manulife Global Fund - Global Multi-Asset Diversified Income Fund I3 USD LU2499703796 +21.89% 5.86% 3.22
3. Manulife Global Fund - Global Multi-Asset Diversified Income Fund I3 LU1935044690 +21.89% 5.87% 3.21
4. Manulife Global Fund - Global Multi-Asset Diversified Income Fund I3 Inc LU1935044773 +21.89% 5.86% 3.22
5. Portfolio Management DYNAMISCH A AT0000707526 +23.99% 6.49% 3.23
6. KONZEPT : ERTRAG dynamisch - A AT0000811351 +19.58% 5.19% 3.19
7. KEPLER Mix Dynamisch A AT0000825500 +26.45% 7.36% 3.18
8. WWK Select Chance C I LU0685406745 +31.02% 8.82% 3.17
9. Raiffeisen-Portfolio-Growth RZ A AT0000A279C8 +27.43% 7.75% 3.15
10. Raiffeisenfonds-Wachstum RZ A AT0000A1UAW0 +23.39% 6.49% 3.14
...
328. VV-Strategie - Dynamik ESG T6 LU0406303502 +17.80% 8.76% 1.69